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View Poll Results: tell us what is your opinion about this methode
good, profitable 26 74.29%
good 5 14.29%
average 3 8.57%
not bad 0 0%
bad,not profitable 1 2.86%
Voters: 35. You may not vote on this poll

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  #2631 (permalink)  
Old 03-26-2008, 12:10 PM
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First short signal closed for -150 pips and then we got a buy signal which also closed for -150 pips. Last trade was a short signal, which closed for +160 pips. -140 pips for the day. Looks like we are giving back most of the January earned pips in the last two months.

Note: Based on my backtest we will have these drawdown periods but at the end of the year we will be ahead.

TimeFreedom

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We have a sell signal and I am short @ 200.21.

TimeFreedom
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  #2632 (permalink)  
Old 03-26-2008, 12:18 PM
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Not enough hours in a day to try to find the best way to filter out bad signals. I have been experimenting with other ideas trying to lessen the number of stopped out positions, it seems that sometimes they work and other times it does not.... Well, gotta keep chugging along....
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  #2633 (permalink)  
Old 03-26-2008, 12:24 PM
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It seems to me that the best filter is sound money management (MM).

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Not enough hours in a day to try to find the best way to filter out bad signals. I have been experimenting with other ideas trying to lessen the number of stopped out positions, it seems that sometimes they work and other times it does not.... Well, gotta keep chugging along....
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  #2634 (permalink)  
Old 03-26-2008, 12:41 PM
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TimeFreedom

Do you maintain any spreadsheet which tracks the date of all your trades which are stopped out? If you have it, can you share it since I want to do some backtesting using other methods to try to filter out the bad trades.

Even using a 150 PIP S/L is too much for me....
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  #2635 (permalink)  
Old 03-26-2008, 05:41 PM
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I don't have a spreadsheet with the losses, but I can send you a statement for '08 YTD? I don't use 150 pip stop per say. I use 2 lots each with 75 pip stops.

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TimeFreedom

Do you maintain any spreadsheet which tracks the date of all your trades which are stopped out? If you have it, can you share it since I want to do some backtesting using other methods to try to filter out the bad trades.

Even using a 150 PIP S/L is too much for me....
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  #2636 (permalink)  
Old 03-26-2008, 06:05 PM
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Quote:
Originally Posted by TimeFreedom View Post
I don't have a spreadsheet with the losses, but I can send you a statement for '08 YTD? I don't use 150 pip stop per say. I use 2 lots each with 75 pip stops.

TimeFreedom
TimeFreedom

Sending a statement for '08 YTD will be fine also. I wil PM you with my email address [I'm not sure if you can attach or send stuff via PM].

Thanks
ET
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  #2637 (permalink)  
Old 03-27-2008, 01:50 AM
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We had a short signal and I am short @ 198.49. I have already closed 1 lot, 0.10, for +50 pips. Lets see what the second lot, 0.10, will bring. Either +1, +50, or +110 additional pips.

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  #2638 (permalink)  
Old 03-27-2008, 12:46 PM
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We had a buy signal and I got long @ 200.43 and closed out for +160 pips. The second lot on the previous short closed +1 pip. Getting some of those lost pips today with a total of +211 pips for the day.

TimeFreedom

Quote:
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We had a short signal and I am short @ 198.49. I have already closed 1 lot, 0.10, for +50 pips. Lets see what the second lot, 0.10, will bring. Either +1, +50, or +110 additional pips.

TimeFreedom
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  #2639 (permalink)  
Old 03-28-2008, 01:08 AM
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We have a sell signal and I am short @ 199.46.

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  #2640 (permalink)  
Old 03-28-2008, 04:02 AM
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We have a buy signal and I am long @ 200.16. Short trade was stopped out for -150 pips.

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We have a sell signal and I am short @ 199.46.

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